TURSG overview

TÜRKİYE SİGORTA A.Ş. (TURSG) — Cash Flow Statement

Detailed cash flow statement with YoY comparison · latest 6A26

Income statement and cash flow are cumulative (6A = 6-month cumulative, 12A = full year). YoY Δ compares the same period last year.

Line item6A263A2612A259A256A253A25YoY Δ
Sigortacılık Faaliyetlerinden Elde Edilen Nakit Girişleri71.64B40.64B107.41B87.35B64.01B35.89B+11.9%
Reasürans Faaliyetlerinden Elde Edilen Nakit Girişleri000000
Emeklilik Faaliyetlerinden Elde Edilen Nakit Girişleri000000
Sigortacılık Faaliyetleri Nedeniyle Yapılan Nakit Çıkışı (-)-71.18B-40.31B-94.12B-75.18B-58.36B-29.81B+22%
Reasürans Faaliyetleri Nedeniyle Nakit Çıkışı (-)000000
Emeklilik Faaliyetleri Nedeniyle Nakit Çıkışı (-)000000
Esas Faaliyetler Sonucu Oluşan Nakit460.5M331.7M13.29B12.17B5.65B6.08B-91.9%
Gelir Vergisi Ödemeleri (-)-2.92B-2.35B-4.69B-2.95B-2.09B-751.6M+39.9%
Diğer Nakit Girişleri3.79B9.00B9.84B15.37B8.90B5.13B-57.4%
Diğer Nakit Çıkışları (-)-3.85B0-6.98B-1.47B-354.9M0+984%
Esas Faaliyetlerden Kaynaklanan Net Nakit-3.02B-5.67B9.45B4.85B2.89B-409.7M
Maddi Varlıkların Satışı24.7M5.8M30.7M29.7M3.7M0+573.3%
Maddi Varlıkların İktisabı (-)-151.4M-37.5M-403.9M-258.8M-84.4M-34.1M+79.5%
Mali Varlık İktisabı (-)-76.46B-47.40B-158.57B-95.52B-58.23B-24.34B+31.3%
Mali Varlıkların Satışı64.25B37.91B115.68B52.58B29.84B17.08B+115.3%
Alınan Faiz15.82B7.89B22.54B17.70B9.88B5.94B+60.2%
Alınan Temettüler00184.1M0184.1M0-100%
Yatırım Faaliyetlerden Kaynaklanan Net Nakit3.49B-1.70B-20.54B-25.47B-18.41B-1.71B
Finansal Kiralama Borçları Ödemeleri (-)-46.3M-31.3M-97.1M-91.5M-7.3M-6.0M+531.8%
Finansman Faaliyetlerinden Kaynaklanan Net Nakit-101.0M8.97B759.9M11.81B8.54B5.12B
KUR FARKLARININ NAKİT VE NAKİT BENZERLERİNE OLAN ETKİSİ559.6M73.5M635.5M534.6M486.6M204.4M+15%
Nakit ve Nakit Benzerlerinde Meydana Gelen Net Artış930.0M1.68B-9.70B-8.27B-6.49B3.20B
Dönem Başındaki Nakit ve Nakit Benzerleri Mevcudu8.58B8.58B18.27B18.27B18.27B18.27B-53.1%
Dönem Sonundaki Nakit ve Nakit Benzerleri Mevcudu9.51B10.25B8.58B10.01B11.78B21.47B-19.3%
Faiz Ödemeleri (-)00000
Hisse Senedi İhracı00000
Kredilerle İlgili Nakit Girişleri00000
Ödenen Temettüler (-)0-2.00B-2.00B00

TÜRKİYE SİGORTA A.Ş. (TURSG) Cash Flow Statement

TÜRKİYE SİGORTA A.Ş. (TURSG) Cash Flow Statement

This page shows the cash flow statement of TÜRKİYE SİGORTA A.Ş. (TURSG) as reported to the Turkish Public Disclosure Platform (KAP), broken down line by line across the most recent periods, with year-over-year percentage change so you can compare each figure to the same period last year.

Latest period 6A26: KUR FARKLARININ NAKİT VE NAKİT BENZERLERİNE OLAN ETKİSİ: 559.6M TL (YoY +15%).

How to read this statement

The income statement and cash flow statement are cumulative: the 6-month column covers the first two quarters combined, the 9-month column the first three, and the full-year column all four. Compare each period to the same period last year (YoY) for a like-for-like view.

Frequently Asked Questions

Where does TURSG's cash flow statement data come from?

The figures are sourced from TÜRKİYE SİGORTA A.Ş.'s official quarterly financial statements filed with KAP (the Turkish Public Disclosure Platform) and updated automatically after each new disclosure.

Is the cash flow statement cumulative or per quarter?

The income statement and cash flow statement are cumulative within the year (6-month, 9-month, full-year), matching the official filings.

Is TURSG financial data free on Borsafolio?

Yes. Balance sheet, income statement and cash flow statements for every BIST company are free and require no signup.